POSITION EXIST?) Responsible by posting journal entries. Applies principles of accounting to analyze financial recording and verifying transactions. Cashbook Capture entries, maintain and reconcile cash book Loading of all beneficiary details in the bank Process salary and wage entries into cashbook Reconciliation of bank statements
Protection of Personal Information Act No. 4 OF 2013
specialized financial data. Oversees and prepares entries and adjustments to company records, files and statements and promptly completed. Prepares/reviews journal entries and balances work in more complicated accounting
specialized financial data. Oversees and prepares entries and adjustments to company records, files and statements and promptly completed. Prepares/reviews journal entries and balances work in more complicated accounting
payments. Reconcile bank statements with cashbook entries regularly. Process cash transactions and maintain Investigate and resolve any discrepancies in cashbook entries. Liaise with other departments regarding cash-related
payments. Reconcile bank statements with cashbook entries regularly. Process cash transactions and maintain Investigate and resolve any discrepancies in cashbook entries. Liaise with other departments regarding cash-related
the POPI Act (Act No. 4 of 2013: Protection of Personal Information Act, 2013). Section 9 of PoPI states
the POPI Act (Act No. 4 of 2013: Protection of Personal Information Act, 2013). Section 9 of PoPI states
experience, or coming from a Graduate Programme or Internship, either with a Corporate Advisory or Private
experience, or coming from a Graduate Programme or Internship, either with a Corporate Advisory or Private